REGISTERED COMPAi%Y NUMBER: CE0281172 (ETrgJalld and Wales)
REGISTERED CHARITY NUMBER: 1197669
R¢ rt ofthe
stee% *
UnAudited ￿na￿d*1 Statements for the Y
Ettded 31
2(125
for
hmoor Musllm A55Ki*tSon
Chartered Certified Accountants
2 Manor House tAne
Daichet
Slough
Berkshire
SL3 9EB

Cohtertts gfthB Hnarthl 5taieme
fortheyew Ended 3lJarN
25
Pag¢
Report of tbe Trusttts
IlldepeThdent EMmi￿er,$ Report
ststerneDt of FiTh•nelal A¢¢ivit￿5
B¥i4nce Sheet
Not￿ to the NTr*nel*l St*temEDts
DetHlled Stateme*t orriD8n¢i*l Aetlvltks
10

¢)ftheT
Year Ended 31JuA
The trystees who are also directors of the charity for the purp05e5 of the Cowies Act 2(￿, present their reFK>rt with
the financial stateTnents of the charlty for the year end￿ 31 January 2025. The trustees have adopted the PTovisions of
Accounting and Reporting by Charities: sthle￿At of Reconunended PtWi¢e applicable to thBrities preparing their
accounts in ac￿rdanCe with the Financial Re￿rtIng Siandard applic•ble in the UK and Republic of Ireland IFRS 102)
{effective l Jat)uary 20191.
Objectffives And al]n5
Th¢ charity aims to esthlish A p]ace of wor5bip atMI comtDunity centre for Mustintrs living ill atMI around Ru5hmoor
Boruugb Coun¢il to provid¢ religious. educaiiot)al. and recreaiionai facilities as well 85 bwst conjrnunity cohesion. The
charity also 018allises and panicipates in community events to promote inter-faith hamony alld relations. equality,
diversity, address i&8ues of mutual concenL hea￿ safety and ￿11￿1￿& support Civic iDwv¢mellts aThd drive positive
¢hang¢ for the 8(x)d of the cojnmwjity. The ebariry meets the charity commi&sions public benefit critcrit under the
advanwllent of education and the comTDurrity developry*nt objeetiYe5 by swrtillg various activities.
ACHIEVEMEYT AND PERFORMANCE
The charity has been organ5sing Friday congregatio￿ prayers in addition ￿ Eid gatherings and m)rking n￿nth of
Ramth Th¢ rTUSt ha5 been collectin8 donation5 for estsb1ish￿nI ofa Pl￿¢ of Worship a￿1 communiry centre.
RMA has been supp)rtin8 RughnMM*r Borough COU￿11 and lo¢al churchts ftir ¢lwitable activities. RMA has donatyj
tOW2rds refugee's sllpporL
RMA h85 held ¢ducationai seminars for couuTh)n g(MNI of the community and is regularly collalxNBting attd particÈpatin8
in the inter-faith relations t￿]￿85 convened by the CourKil and I(￿] churcl
The charity l)as identified a place of w)rslll"p and cotnDIUDity centre, and negotiattons have been finalised for Outrtght
purclmse of the property. Paperwork is cu￿entlY bein8 compl¢t¢d by the soliciwrs for contract signi￿g and poswsion of
the property.
FINANCIAL REVIEW
Flllaffjeial posltlon
The Charity has tnaDa8ed to bring in bulk stream of donaiions coLsidering the fact that a property ha5 been identified for
the community centre. Costs have been kept 81 a m[nimU￿ Fut￿ balance Is at 31 January 2025 £277,511
compared to a balance of £155.450 as ai 31 January 2024. Costs for the year ended January 2025 were £9,341 1%
Compared to costs of £13.463 for the year ended January 2024.
FUTURE PLANS
RMA is very close to ￿lfilling its PYOTlli5e to the lotal conmmmity to own a place of worship 8￿j community centre. The
cljarity aims to include:
- Make sirenuoLE5 cffon5 10 80 througli plaDDing applic4tion and neeessary nyJdifi¢ation& a￿1 repaiJ¥ atul Tnaintenance to
the propcrty (once pwchasedl to nmke il ready for use by the local o)mmunity.
- Continue providing religiou& educational and recreatio￿1 facilities to the COMIN￿ty as well as boost eommut)ity
cohesion.
. Continue organising fimd raising ¢vcnts for the ¢)P¢TaiiDg expeL5¢5 of the comEnwiity celltre.
- Continue initiatiYe5 that meet the current and future nee(ts of the l(ui commurrity.
- Involve l(*al community and groups in issues wkn.ch are likely to affect quality of life iti l(Kai are&
- ContiDue support Deedy with fo(Ml. clothing and other support.
- Continue orgaDising educaiioDal seMinar￿sesSiOns for the IoLal community.
. Continue charity donatioLs to affeaed people nats￿al th"sastsrs
STRUCTUR4 GOVERNANCE AND M￿NAGEmEN[
Governlllg doeyrnent
The eharity is cot)trolled by its governin8 a deed of 8nd constitutes a charitsbl¢ inc0tp0r￿£d
organisaiioTL
Page I

Musli
oftheT
fortheyear Ended 31 Janua
STRucfbiiL GOVERNANCE AND MAYAGEMENT
orga1￿SatIoRS1 structure
RuSh￿￿)0r Muslim A$s￿l￿10n (RMA) was wablished in 2021 under name of RushnN)or & Digtrict Muslirn
A&80ciation IRDMA). The n￿ne was later changed to RMA when applying for re8iStMion 8$ Charitoble IncoTporated
Organisation (CIO) with the Charity Commission.
The Gharity currendy h&8 7 tnL*. The daY.t￿laY OF*fdtioDs and the managenmi of the tnLSt is overseen by the
tTh8tees and additional nornin&t¢d
The trustee5 and wminated member5 provide their tim¢ on a voluntary b&sis, have ￿ lTh¢ficio1 intcrcst in the and
receive no r¢muneration or other beD¢fi
REFERENCE AI¥D ADMINISTRATIVE DKTAILS
Reglstered ehArlty tt¥mb¢r
1197669
Compajry Teglstr*ttott number
CE028072
Prln¢lp#l Address
29 SL Pauls Close
TOn8haT￿ FARNHAM
GUIO IEN
Trnstees
S AzeeT
Z M21ik.Ram7an
S Rajj
A Rauf
OKok
L Hussain
M A Sheikh
lttdtpendeDt Examiner
Imli￿ Khan FCCA
Three Leaves
Chartered Certified Accountants
2 Manor tane
Datchet
Slou¥h
Berkshire
SL3 9EB
Approved by order of the IK>ard of tnLs*es ott. ao
.. atrj signed on its beha]f by:
M A Sheikb- Trustee
Pa8e 2

t Examk￿lS
Rushm Muslim
Independent examlntr's report to tbe tntslees of Muslim Association {'the Cottwany,)
I report to the ¢harity tnLS*¢s on my ¢xamiTwtion of the accounts of the CornpaTry for the year ettded 31 January 2025.
Re5POll5ibilitRS 8nd basis of rwrt
As the charit￿8 trustee5 of the Company {and a]so its directo￿ for the pU￿￿>seS of colljpany law) you are Tcsponsible for
preparation of the in accordance with the requirements ofthe Conwiies Aci 2006 {*he 2006 ALt'I.
Having satisfied Jnyself that the ac¢xJunts of the Conipany are not required to be audited utxler Part 16 of the 2(M)6 Act
and are eli8ible for Inde￿t}dent examination. I re￿)rt in rwi of exarniDation of your cl4ritys accounts as carried
out under Section 145 of the CFJan'ties Aci 20111lhe 2011 Ace). In carrying out my exaD]iDatioll I have followed the
DirectEons given by the chtir￿ty Commission under Section 14515) (b) of the 2011 Acl.
Independent ¢uminer'$ statement
I have completed my examination. I CODfiTm that Th) matters have come to my attention in Cont￿10ll with the
examination giving n* Ca￿se to belitve:
8¢eoiinting record5 were twt kept in rtspe¢i of the Company required by Se¢tion 386 of the 20[￿ ACL or
the accounts do not accord with those record5" or
the accounis do not comply with the accounting wuiremtnts of Seciion 396 of the 2006 A¢t other than any
requi￿ment thai the accounts ￿Ve a and fairvicw ￿ld) is not a matw consider¢d as part of an independent
exarniDation,' or
th¢ accouDts have not been preparcd in accordance with the nytlknts and principles of the Ststetmlt of
Recomm¢nded Practi¢e for accounting aud reponing by chariiies {app]l￿ble to charities preparing their accounts
in aceordance wilb the Finaticial Reponing Standard applicabl¢ in the UK and Rcpublic of Ir¢l8nd IFRS 102)).
I have no concenis and hwve come acros5 no other rnattets in COn￿tiOn with th¢ exami1￿¢10n to whith attention slwuid
be dra￿Tr in this r¢pon in ord¢r to en8blc a pro￿1 Understs￿￿g of the a¢couDts to be reached.
Imti8z Khart FCCA
The A￿O¢lation of Clwtered Certified Arcountants
Threr Leav
Chartered Certified Accountsnts
2 Manor Hots% Lane
Datchet
Slough
Berkshire
SL3 9EB
2111012025
Date: .............................................

lorthÈYewEnded 31JènL
2025
2024
Urtrestritted
fund
fvnds
Notes
INCOME AND ENDOWMEiYfs FROM
Don2tions and legacies
131,402
55,249
EXPENDITURE ON
Raisin8 fimds
7.473
12.316
ChArttAble &etlTrltle5
RelI￿ouS and conllllurrity
1,568
I,147
Totsl
9J41
13.463
NET INCOME
122,061
41,786
RECONCILIATION OF FUNDS
TO￿ fimds brought fonward
155.450
113.664
TOTAL FUNDS CARRIED FORWARD
277,51
155.450
The rpxesknm part ofthesE fi[￿[￿1￿1 5tstemer
Pa8È4

31Jar
2025
Unrewitted
fund
2024
Total
fur
Notes
CiIRRENf ASSETS
Cash at bank and in hand
278.351
156.29)
CREDITORS
Amourjts fa]lin8 du¢ within year
{8401
(840)
NET CURRENf ASSETS
277.511
155.450
TOTAL A￿ETs LESS CURRET4T
LIABILITIES
277Jll
155.450
NET ASSETS
277.511
155,450
FUNDS
Unrestri¢ied fun&f
277,511
155,450
TOTAL FUNDS
277.511
155.450
The charitable cotry)any is entitled to exenwtÉon from audi¢ ur¥Jer Section 477 of the Companies A¢1 2006 for the year
et)d¢d 31 January 2025.
The members have ]￿t required the con]paDy Èo obtain an audit of its fu￿￿181 statellmts for th¢ year ended
31 January 2025 in accorda￿¢ Se¢tioll 476 of the Con4)8Dies A¢t 2(Kb6.
The t￿3￿CeS acknowledge their responsibilities for
{8)
ensuring that the charitsble conwany keeps accouniillg records comply with Se¢tions 386 S￿1387 of the
Colnpanies Art 2(1)6 and
preparitis financial statements which give a true atad fair view of the state of affairs of ihe charitable company as
at the end of each fin￿￿18] year and of its ￿1￿$ OT deficii for each fi[w￿la1 year in accordance with the
requirements of Sections 394 and 395 aThl which otheThws¢ COTT￿lY with the requitrrnents of the Companies Aet
2006 relating to finawial sÈaternents. so far &$ applicable to the charitable company.
(b)
These financial statements have b¢¢n prepared in accordance with the provisions applicable to charitable Companies
subjeci ￿ the snjall companies re￿rne.
The fi
ial statements wer¢ approved by the Board of Trustees and authorised for issue on
.. a.4Af. 2nd were signed on its bebalf by..
M A Sheikh- Trutte
Ihe notesform pan of these financialsiaiements

forthÈY
ACCOUThNG POLICIES
Basts of pr¢pAring the fjnaneial stateJDtDts
The fJnan¢ial stsiements of the charitsble ¢ompany. wbieh is a public benefit ¢ntity under FRS 102, have been
prepared in accordance with th¢ Charitie5 SORP IFRS 1021 'Ac¢ountittg artd Reporting by Charities: S￿ement
of Re¢omm¢nded Prdctice applicable to charits¢s PT¢parin8 their accounts in accordanc¢ wilh the Financial
Reportin8 Stsndard appli¢able in the UK and Republic of Irelatxl IFRS 102) (effective l January 2019),,
Financial Reporting Stsndard 102 Tr Financial Reporting Standard applicable in the UK and Republic of
Ireland. and ihe Companies Act 2006. The financial statements have been prepared utlder the historical cost
ODv¢ntio
Incomt
Ail iDcorne is reco8Dis¢d in the Sthtejnent of Financi81 Adivities the elwity I￿S entitlement ts> the fiJnd% it
Is probable that the income be received aDd the amount can be nusured reliably.
ExpendI￿re
Liabilities are ttcogni5ed expendIts￿e as soon as that 15 a legal or con5trwtive oblig&tion committing the
¢haTity kn that expenditure, li is probable that a transfer of ¢￿￿Mi¢ benefits will be required in settlement and
the anK)unt of the obligalion ian be measured reliably. Expenditure is a¢¢ounied for on all accrua15 basis and h&
been classified under headings that aggregate all CO￿ related to the category. Where costs canTh)t be directly
allribll￿d to panicujar headings ihey have bccn allocated ￿ activtties on a basis consi51ent v/ith the use of
resourees.
T8X*tlon
The charity is exempt from corpotation tax on its charithble activitie&
F￿nd ieeounting
Unrestricted fiu￿5 can be used in accordatr¢ with the £haritsble objectives at the discretion of the tsiJste¢s.
Restricted thnds cau only be usa forpattt"cuiar restricted purposes within th¢ objects of the d)arity. Restrirtions
arise w￿n 5p¢¢ified by the douor orwh¢n funds are rdised for particular r&stricted PWM)se&
Fw1her eXpl￿tiOn of the nature alld putPDSe ofea¢h fimd is inc1￿jed in the ￿ to the financial statements.
DONATIONS AND LEGACIFS
2025
2024
Donatio
Juma & Eid Coll¢¢tions
Direct debits
105.173
22,929
3.300
33,961
17,092
4.196
131.402
55249
continued...

tothÈFI
forthE Year
31Janu
114ISING FUNDS
RaiSiDg donation$ legatles
202S
2024
Religiou5 ￿hOlarS fee
Hall hlre fe¢
Donation Paid (Zakai elc.)
Support ¢osts
2.400
615
2.IIM)
493
8,450
1.273
3,342
7.473
12J16
CHARITABLE AcfiviTIES cosrs
Support
costs
Religious and comnlljrrity
1.868
TRUSTEES. RE1￿uNERATIoN AND BENEFrrs
There were no t￿￿, TemUt)e￿i0rn or other benefits for the year e￿Ied 31 January 2025 nor for th¢ year ended
31 January 2024.
Trustets, expenses
There w¢r¢ llo ¢xpenses paid for th¢ year cnded 31 January 2025 for the ye4r end¢d
31 January 2024.
CO￿AlL4T1VEs FOR THE STATEMENf OF F￿￿NCIAL AcrtvtriES
Unrestricted
fund
INCOME ATr4D Ef4DOWMEf4TS FROM
Donations and legacies
55.249
EXPENDrruRE ON
Raising fi]nds
12,316
Cb8ritsble adivities
Religiow and communtty
1,147
Total
13.463
NET INCOME
41,786
RECONCILIATION OF FUNDS
Total brought f0Th￿d
113,664
TOTAL FUhl)S CARRIED FORWARD
155,450
Page 7
ontinued...

5hmoor Mu5Mm
Fknandal
fortheyear Ended
2025
CREDffORS: AMoU￿rS FALLING DUE WITHIN ONE YEAR
2025
2024
MOVEMEYT IN FIINDS
Net
mo¥ement
In funds
At 1.2.24
31.125
Unrestrleted
General filud
155.450
122.061
277,511
TOTAL FUYDS
155,450
122.061
277,Sl I
Nct ]rnv¢rneni itl funds Ir￿l￿ded in the ab)ve are s lolloTh3:
Re50urce5
M￿ernent
in funds
Unrestrlcted futtd8
131,402
{9.341)
122,061
131.402
(9,341)
122.061
Comparatives for I￿Verne￿t in fund
mo¥ement
in fvnds
Al
31.1.24
At 1.2.23
Unrestrlcted funds
General filtxl
113.664
41.786
155.450
TOTAL FUNDS
113.664
41.786
155.450
Colljparative tNJven*nt ill fund% in the above are follo￿..
ItKomlng
resources
Rex)urce5
expended
Mo¥ement
In lunds
Unrestricteil fvnds
55249
(13.463)
41,786
TOTAL FUNDS
55249
(13.463)
41.786
Pa8e8
Contirtu￿...

shmoor
nued
fortheYearEnded 31JaI￿ 202S
MOVEMENT IN FUEWS- contlnwd
A ¢urrnt 12 and prior year 12 TfKmth combin￿￿ position is as foll0v￿.
Net
movement
infunds
At
31.1.25
At 1.2.23
Unrestrfeted funds
General fuzMI
113,664
163,847
277,511
TOTAL FULYDS
113.664
163.847
277,511
A current yeax 12 nK*ntlLS alld prior year 12 months eollthinql n¢t nKbv¢nKni in fimd& iocludcd in the abov¢ 4r¢
as folloTrE-
lrtcombng
Movement
in fvnds
ex￿nded
Unrestrict¢d funds
Generdl fimd
186.651
(22.804
163.847
TOTAL FUYDS
186.651
(22.804}
163.847
RÈLATED PARTY DISCLOSURES
There were no related paty tr2lls•dious for the year enda4 31 January 2025.
Page9

ntof
forthtytar El￿ed 31
ZOZ5
2025
2024
INCOME AP4D ENDOWMENTS
DonatjODs and lryaLies
Donations
JunH & Eid Collections
Ditzct debits
105.173
22.929
3,3(X)
33,961
17.092
4,196
131,402
55249
TotAI kn¢on￿ng resources
131.402
55,249
EXPENDITURE
Raislng dots#tioD5 legades
Religious scknlars fee
Hall hiT¢ fee
Donation Paid (Zakat etc.)
2.IC
493
8.450
615
4.131
11,043
Support ¢osts
Management
Insuran¢¢
Telephone & Internet
Postage aTrJ stationery
SuTLdri&
317
302
1,253
620
288
204
422
359
2,492
1273
Flnance
Ballk ch8rge8
307
Ggvernance costs
Ac¢ountancy fees
Legal and profe&sionai fee
1.020
850
1.870
Total re8OUte¢s expended
9341
13,463
N¢t Income
122.061
41,786
Thi4 page does notforrn part of the statutoryfinancial statements
Page 10